TE

Associate - Cash & Banking

Tesco Plc
Bangalore50K-3 LPA Posted 27 Jun 2025
FULL TIME
User Acceptance Testing
Stakeholder Management
Continuous Improvement
Ms Excel
Reconciliation

Job Description

Key Deliverables:

  • Reconcile store tender accounts with bank credits and resolve variances
  • Manage queries related to tender losses and Cash-in-Transit issues
  • Drive automation and continuous improvement to optimize reconciliation processes
  • Support reporting, UAT, and compliance tracking for process improvements

Role Responsibilities:

  • Communicate effectively with stores, banks, and finance teams
  • Ensure SLA/KPI adherence and operational accuracy
  • Maintain audit-ready documentation and follow code of conduct
  • Collaborate in a positive, team-focused environment

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